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Portfolio Selection

efficient diversification of investments
Verfasser*in: Suche nach Verfasser*in Markowitz, Harry
Verfasser*innenangabe: Harry M. Markowitz
Jahr: 1970
Verlag: New Haven [u.a.], Yale Univ. Press
Mediengruppe: Buch
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While Markowitz is a name well-known in economics (joint winner of the Nobel Proze in 1990) and the investment industry, it is known hardly at all among the public. Perhaps this is the inevitable fate of a man well ahead of his time: Markowitz's work on the relationship of risk and return is truly one of the staggering intellectual achievements of modern economics, and has a great practical impact on people's economic welfare. This volume recapitulates his argument that risk is what drives return, rather than being (as was thought by earlier generations of money managers) merely an unfortunate by-product of the search for higher returns, that the portfolio dominates its constituent assets, and that the way to minimise risk for a given level of expected return is to minimise the covariance of returns of the assets within that portfolio using a quadratic programming algorithm. This is brilliant, seminal stuff, written with a liveliness usually lacking in economic texts.. Portfolio selection: efficient diversification of investments is a a brilliant intellectual feat.

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Verfasser*in: Suche nach Verfasser*in Markowitz, Harry
Verfasser*innenangabe: Harry M. Markowitz
Jahr: 1970
Verlag: New Haven [u.a.], Yale Univ. Press
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Systematik: Suche nach dieser Systematik GW.WF, FS.E
Interessenkreis: Suche nach diesem Interessenskreis Sprache: Englisch
ISBN: 0-300-01372-8
Beschreibung: 2. print., XIV, 351 S. : zahlr. graph. Darst.
Schlagwörter: Aktienanalyse, Aktienmarkt, Portfolio Selection, Wertpapieranlage, Wirtschaftstheorie, Portfolio-Theorie, Portfolioanalyse <Kapitalmarkttheorie>, Portfoliomanagement <Kapitalmarkttheorie>, Rentenanlage, Wertpapier / Kapitalanlage, Wertpapierauswahl, Wertpapierportefeuille
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Mediengruppe: Buch